• Manage a portfolio of 30 uncorrelated strategies and daily P+L with my own capital through regular review of multiple performance metrics, and continuously search for new trading opportunities
• Develop hypothetical models, backtest on historical data, analyze results, and put into production with limited resources
• Review trades on a daily basis and manage risk by learning from past mistakes
• Parse news feeds prior to market open for team use
• Monitor other team members portfolios as needed
• Designed and managed virtual office set up to integrate remote and office based staff
• Research equity offerings (IPOs, Secondaries, etc)